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This role is responsible for leading treasury activities across Southeast Asia, with a strong focus on cash visibility, liquidity planning, funding support, and financial risk management. The position supports business growth by ensuring effective cash management, maintaining banking relationships, and partnering closely with country finance teams and shared services functions.
Job ID: 152498765
Skills:
Treasury and Cash, bank liaisons, International Business Management, Capital Budgeting, Cash Flow Management, Capital Management, Working Capital Management, monthly cash forecasting, Recruitment Advertising, Cpa, fx hedging, Financial Management
Skills:
Quantitative and Analytical Skills, Modeling Skills, Market Risk, Liquidity Management, Cash Management, Regulatory Frameworks in APAC
Skills:
Financial Risk Management, Project Management, Banking, Funding Liquidity, Process Improvement, Business Transformation, Treasury, Corporate Finance
Skills:
Business Transformation, Banking, Project Management, Process Improvement, Funding Liquidity, Financial Risk Management, Treasury, Corporate Finance
Skills:
System Enhancements, automation, financing strategies, fx hedging, working capital optimization, Financial Governance, cash flow forecasts, bank facilities, financial insights, treasury reports, daily cash management, Capital Planning, liquidity funding, bank account administration, loan administration, treasury process improvements